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  1. CFA MX
  2. CFAMX-3015

Automate File Export when Sales After Finalized Day are Taken

    Details

    • Type: Feature Request
    • Status: Closed (View Workflow)
    • Priority: Major
    • Resolution: Completed
    • Affects Version/s: None
    • Fix Version/s: CFA 2019R3
    • Component/s: Exports
    • Labels:
      None
    • INF Reference Number:
      INF-11770

      Description

      In an effort to automate the process of reconciling TBCs that are entered after the day is Finalized in InFORM, the Cash Day Summary and Product Mix files will automatically be exported to CFARIS 30 minutes after sales are entered and the day has already been finalized.

      Detailed Requirements:

      • When a Sale is entered into the POS after the day has been finalized in InFORM, a 20 minute timer is started. At the end of the timer the Cash Day Summary (CDS) and Product Mix (PMIX) files will be exported.
      • When another Sale After Finalize Day is entered into the POS before the 20 minute timer has reached 0:00, the timer will be reset to 20 minutes. 

      Work on CFA side:

      • InFORM 1.0 app (this work has been completed, Charles Wheeler has verified)

      Suggested Process flow:
      2019R3 - Exports After Finalize Day.pdf

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              • Assignee:
                will.englefield Will Englefield (Inactive)
                Reporter:
                will.englefield Will Englefield (Inactive)
              • Watchers:
                2 Start watching this issue

                Dates

                • Created:
                  Updated:
                  Resolved:

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